Investors, which stock do you consider the riskiest in your portfolio?
For me, it's definitely $BABA and $CAVA. For Alibaba, I see the main risk in China itself and the way the state there operates, and for CAVA I see a lot of potential but also a lot of question marks that can change a lot of things negatively.
Currently about $STLA, but I only have a small position there. But it's a good question that I've been pondering for a while. I'm actually fine with other companies and don't see them as extremely risky. Certainly not a bad thing to include this in the portfolio evidence.